Aims and Scope
Journal DOI: 10.33140/JIBF
Journal of Investment, Banking and Finance is a peer reviewed open access scientific journal with publishing quality research in the emerging field in Financial Studies.The quality of the Editorial Board follows the Peer review process. The time to publish the articles from date of submisison is maximum 30-35 days.
The scope of the journal is research on Capital Structure, Ecconomics, Entrepreneurial Fiinance, Equitty, Ethnology, Macroeconomiics, Market Microstructure, Policymakers, Political Risk, Pollicy, Portfolio, Pricing, Risk Management in Finance, Rules and Regulation of Financial Markets, Statisticss and numerical dataTradiing, etc.
We welcome articles from Finance professionals Economics, Faculty and Staff, Financial institutions, University Professors, Specialists, Researchers, PhD Scholars, Graduates and Post Graduates Students.We will publish all types of articles like clinical cases, case reports, research articles, review, short communication, commentarty, image articles, PPTs, letter to the Editor and Editorials.
Submit manuscript at www.opastpublishers.com/journal/finance-journal/manuscript-submission or send as an e-mail attachment to the Editorial Office at info@opastpublishers.com
Journal of Investment, Banking and Finance is an online open-access journal that provides an advanced forum related to accounting, financial derivatives, statistical analysis, economic issues, equity, Rules and Regulation of Financial Markets, government rules for finance flow and financial economics.
Following are some of the fields that the journal covers:
• Business Strategy and Policy
• Contrarian Investment Strategy
• Corporate Finance
• Derivative Pricing and Hedging
• Distribution Forecasting with Financial Applications
• Economic
• Empirical Finance
• Financial Crisis
• Financial Education
• Financial Markets and Institutions
• Human Resource Management
• International Business
• International Finance
• Marketing
• Mergers and Acquisitions
• Organisational Behaviour
• Zero-Investment Portfolio
• Content Analysis
• Human Resource Disclosure Index
• Financial Reporting and Accounting Standards
• Management accounting issues